Verizon Communications Inc Overview

VZ was traded at $43.0100 as of 2025-06-13.

Verizon Communications Inc (VZ)

Quarterly Financials

Annual Financials

Asset Type: Common Stock

Sector: TECHNOLOGY

Industry: TELEPHONE COMMUNICATIONS (NO RADIOTELEPHONE)

Description: Verizon Communications Inc. is an American multinational telecommunications conglomerate and a corporate component of the Dow Jones Industrial Average. The company is headquartered at 1095 Avenue of the Americas in Midtown Manhattan, New York City, but is incorporated in Delaware.

Address: 1095 AVENUE OF THE AMERICAS, NEW YORK, NY, US

CIK: 732712

Exchange: NYSE

Currency: USD

Country: USA

Fiscal Year End: December

Latest Quarter: June 30, 2024

Market Capitalization: 185,555,649,000

EBITDA: 48,111,002,000

PE Ratio: 16.57

PEG Ratio: 2.529

Book Value: 22.85

Dividend Per Share: 2.66

Dividend Yield: 0.0615

EPS: 2.66

Revenue Per Share (TTM): 31.85

Profit Margin: 0.084

Operating Margin (TTM): 0.231

Return on Assets (TTM): 0.050

Return on Equity (TTM): 0.121

Revenue (TTM): 134,243,000,000

Gross Profit (TTM): 77,702,000,000

Diluted EPS (TTM): 2.66

Quarterly Earnings Growth (YOY): -0.009

Quarterly Revenue Growth (YOY): 0.006

Analyst Target Price: 45.65

Analyst Ratings (Strong Buy): 4

Analyst Ratings (Buy): 10

Analyst Ratings (Hold): 12

Analyst Ratings (Sell): 1

Analyst Ratings (Strong Sell): 1

Trailing PE: 16.57

Forward PE: 9.39

Price to Sales Ratio (TTM): 1.382

Price to Book Ratio: 1.93

EV to Revenue: 2.653

EV to EBITDA: 8.74

Beta: 0.407

52 Week High: 45.05

52 Week Low: 28.70

50 Day Moving Average: 41.28

200 Day Moving Average: 40.32

Shares Outstanding: 4,209,520,000

Dividend Date: Nov. 1, 2024

Ex-Dividend Date: Oct. 10, 2024

Official Website: https://www.verizon.com

Financial Analysis

Valuation Overview

The company's Price-to-Earnings (P/E) ratio is 16.57, with a forward P/E of 9.39. This suggests expected earnings growth. The Price-to-Book ratio of 1.93 indicates a premium valuation relative to its assets.

Profitability Metrics

With a profit margin of 0.084% and an operating margin of 0.231%, the company demonstrates positive profitability. The Return on Equity (ROE) of 0.121% reflects its efficiency in generating returns for shareholders.

Growth Trends

Quarterly revenue growth (YOY) stands at 0.006%, and quarterly earnings growth (YOY) is -0.009%. These figures indicate positive growth momentum. The PEG ratio of 2.529 suggests higher growth expectations.

Dividend Profile

The company offers a dividend yield of 0.0615% with an annual dividend per share of $2.66. This makes it less appealing for income-focused investors.

Market Position

Trading at $43.0100 (within a 52-week range of $28.70 to $45.05), the stock's beta of 0.407 indicates lower volatility compared to the market. Analyst target price is $45.65, suggesting limited near-term growth.

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